Question: + @ ED Page view | A Read aloud Draw 1 Highlight CCOUNTING Part Five Instructions Before preparing the Financial Statements make sure all the

+ @ ED Page view | A Read aloud Draw 1 Highlight CCOUNTING Part Five Instructions Before preparing the Financial Statements make sure all the assignments have been corrected in your spreadsheets. Prepare the Financial Statements listed below. a. Adjusted Trial Balance b. Income Statement c. Statement of Retained Earnings d. Balance sheet Once you finish the Financial Statements follow the instructions below: Step 1: Take the corrected balances in each account and prepare the Financial Statements listed above. Step 2: Use the Excel spreadsheet or Word document to answer the questions in Blackboard in the content folder in the corresponding week. Step 3: Once you complete entering information click on the "Practice Set" tab on the navigation pane Step 4: When it opens, click on the corresponding assignment of the practice set Step 5. Once the assignment opens, scroll down and click on "Browse Local Files" Step 6: When you are done uploading the files, scroll down and click on the "Submit" button O Draw Highlic 19 Page view A Read aloud SOCIETY Bank Statement Western Bank Page 1 PO Box 12345 El Paso, Texas 79998-2345 Rocking' Roller Blades 123 Main Avenue El Paso, Texas 79945 WESTERN BANK STATEMENT "Rockin' Roller Blades" $0 $105,307.25 $66,530.00 $38,777.25 Balance, beginning 01/01/2021 Deposits and other credits January Checks and other debits January Balance on statement date 01/31/2021 Deposits Added 1/2/2021 Deposit 1 $36,000,00 1/3/2021 Deposit 2 $20,000.00 1/14/2021 Deposit $21.433.50 1/23/2021 Deposit 4 $16,237.50 1/27/2021 Deposit 5 $11.636.25 Wells Fargo Bank Statement - Checks Paid and other Debits 1001 $12,000.00 1007 $11.000.00 1002 $6,000.00 1008 $225.00 1003 $1,000.00 1009 $250.00 1004 $10.000,00 1012 $23,685,00 1005 $550.00 DM $70 Check Printing Fee 1006 $1.000,00 NSF $50.00 *Assume any errors are made by the bank o BE + @ ED Page view | A Read aloud Draw 1 Highlight CCOUNTING Part Five Instructions Before preparing the Financial Statements make sure all the assignments have been corrected in your spreadsheets. Prepare the Financial Statements listed below. a. Adjusted Trial Balance b. Income Statement c. Statement of Retained Earnings d. Balance sheet Once you finish the Financial Statements follow the instructions below: Step 1: Take the corrected balances in each account and prepare the Financial Statements listed above. Step 2: Use the Excel spreadsheet or Word document to answer the questions in Blackboard in the content folder in the corresponding week. Step 3: Once you complete entering information click on the "Practice Set" tab on the navigation pane Step 4: When it opens, click on the corresponding assignment of the practice set Step 5. Once the assignment opens, scroll down and click on "Browse Local Files" Step 6: When you are done uploading the files, scroll down and click on the "Submit" button O Draw Highlic 19 Page view A Read aloud SOCIETY Bank Statement Western Bank Page 1 PO Box 12345 El Paso, Texas 79998-2345 Rocking' Roller Blades 123 Main Avenue El Paso, Texas 79945 WESTERN BANK STATEMENT "Rockin' Roller Blades" $0 $105,307.25 $66,530.00 $38,777.25 Balance, beginning 01/01/2021 Deposits and other credits January Checks and other debits January Balance on statement date 01/31/2021 Deposits Added 1/2/2021 Deposit 1 $36,000,00 1/3/2021 Deposit 2 $20,000.00 1/14/2021 Deposit $21.433.50 1/23/2021 Deposit 4 $16,237.50 1/27/2021 Deposit 5 $11.636.25 Wells Fargo Bank Statement - Checks Paid and other Debits 1001 $12,000.00 1007 $11.000.00 1002 $6,000.00 1008 $225.00 1003 $1,000.00 1009 $250.00 1004 $10.000,00 1012 $23,685,00 1005 $550.00 DM $70 Check Printing Fee 1006 $1.000,00 NSF $50.00 *Assume any errors are made by the bank o BE
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